更新时间:2021-01-06
C女士
硕士| 0-1年工作经验
现居住:Montreal
OFFICE
PHOTOSHOP
求职意向
期望职位:ACCOUNTANT,FINANCIAL ADVISERS,FINANCIAL ANALYST,ASSISTANT,MARKETING
期望行业:ACCOUNTING - FINANCE,SALES - MARKETING,OFFICE - ADMIN
期望薪资:2K~3K/月|想在MTL Downtown,Center of MTL工作
求职状态:应届毕业生
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获取联系方式
自我描述
I am a Master in Finance at McGill University and worked at Desautels Capital Management in Alpha Square Fund. Thanks to the experience at DCM, I developed strong interest in Financial Modelling and did Equity Research in varied sectors. Moreover, I am Fluent in English and Mandarin, and also learning French to pursue further opportunities in Canada. I am looking for internship/full-time opportunities starting from winter 2021.
教育经历
2015-9 至 2019-6
[3年9个月]
本科|Fu Jen Catholic University|Finance and International Business
2019-6 至 2020-10
[1年4个月]
硕士|McGill University|Master of Management in Finance
工作经历(TA工作了1年5个月,共做了3份工作)
2016-7 至 2016-8
[1个月]
Summer Intern|Shanghai Pudong Development Bank Huzhou Branch - H
工作职责:Assessed financial statements of companies, calculated ratios to view operation, and analyzed profitability, solvency and capital structure; consolidated summary report was used to make final lending decisions Drew acceptance draft to companies, developed a better understanding of various work patterns in different departments of bank, and learned business of other departments, such as risk management
2018-9 至 2018-10
[1个月]
Summer Intern|Bank of China International - Hong Kong, China
工作职责:Analyzed past cross-border banking M&A cases and made recommendation for current M&A decision Evaluated financial data, equity structure and financial performance of Haitong UniTrust International Leasing Co., and generated a qualified analysis report to support investment decision
2019-6 至 2020-9
[1年3个月]
Equity Analyst|Desautels Capital Management - Montreal, Canada
工作职责:Monitored holdings by performing fundamental analysis and prepared monthly reports to investors Analyzed regulatory risk, developed investment theses, built financial models and provided stock pitch recommendation to improve sectors allocation; that stock was purchased and became top performer in fund Calculated specific risk management metrics such as beta, Sharpe ratio and value at risk to monitor risk exposure and provide suggestions for fund strategists to rebalance portfolio, improving risk-return efficiency
获得证书
2019-6Bloomberg Market Concepts
语言能力
法语基础沟通
英语母语
国语熟练使用
附件简历